Fee Structure: A B C F
Target Portfolios
As of July 31, 2025
APY (%)YTD Returns
at NAV (%)1
Average Annual Total Returns at NAV (%)1Inception
Date
Max Sales
Charge
Expense
Ratio (%)2
1 Yr3 Yrs5 YrsLifetime
Target Fund 100n/a10.4811.7012.8111.769.928/2/10--0.72
Target Fund 80n/a9.0810.4011.079.958.658/2/10--0.70
Target Fund 60n/a7.809.099.307.817.168/2/10--0.71
Target Fund 40n/a6.437.827.545.845.768/2/10--0.70
Target Fund 20n/a4.856.435.854.014.148/2/10--0.67
Target Fixed Income Fundn/a2.994.684.062.281.648/2/10--0.55